Rio de Janeiro, Rio de Janeiro, Brazil
Oversees cash management, back-office, trading desk, financial planning, post-merger integration, strategy oversight and structured finance (debt&equity) operations
Develops and leads the strategic plan process of the organization, within the broad context of local and international landscape, to guide strategic and operational decision-making. Takes a leadership role in driving a collaborative process with the Executive Board, Strategic Committee, Board of Directors and operational units heads that would result in the development of goals, objectives and operational plans for the organization. Manages and controls global commercial credit exposure. Manages and control global operational risk insurance policies (Brazil, Canada, Australia, Europe and Africa). Manages and control cash-flow exposure (US$4billion in 2009) and is responsible Hedging Program.